Your fund value is updated each week, usually on a Friday or Saturday. Simply go to www.nowgatewayx.com and enter your NOW: Pensions contract ID or your email address (if you registered one), plus your NOW: Pensions password.
Your fund value summary shows the current value of your pension savings. This is the total amount you and your employer have paid in, plus any change in the value of your investments, less any charges. It also shows any additional voluntary contributions you’ve paid and any other pensions you’ve transferred in.